Performance Food Group Co - COM (PFGC)

Historical Holders from Q4 2015 to Q1 2025

Symbol
PFGC on NYSE
CUSIP
71377A103
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
153M
Holdings value
$12.9B
% of all portfolios
0.013%
Grand Portfolio weight change
+0.001%
Number of holders
409
Number of buys
174
Number of sells
-195
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Performance Food Group Co - COM (PFGC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 2.63M $206M +$20.7M $78.63 47
2024 Q4 153M $12.9B +$463M $84.55 409
2024 Q3 147M $11.5B -$142M $78.37 401
2024 Q2 150M $9.9B +$187M $66.11 435
2024 Q1 147M $10.9B -$327M $74.64 418
2023 Q4 147M $10.2B +$53.9M $69.15 369
2023 Q3 149M $8.79B -$78.1M $58.86 362
2023 Q2 151M $9.09B -$199M $60.24 350
2023 Q1 154M $9.3B +$259M $60.34 337
2022 Q4 150M $8.78B +$78.7M $58.39 354
2022 Q3 148M $6.37B -$60.9M $42.95 310
2022 Q2 152M $7B -$94.9M $45.98 313
2022 Q1 157M $8.01B -$63.6M $50.91 311
2021 Q4 158M $7.27B +$16.9M $45.89 290
2021 Q3 148M $6.88B +$1.02B $46.46 284
2021 Q2 136M $6.61B +$154M $48.49 266
2021 Q1 133M $7.64B +$96.6M $57.61 238
2020 Q4 131M $6.25B +$47.9M $47.61 235
2020 Q3 131M $4.52B -$337K $34.62 225
2020 Q2 123M $3.59B +$482M $29.14 211
2020 Q1 115M $2.84B -$141M $24.72 216
2019 Q4 113M $5.81B +$648M $51.48 260
2019 Q3 102M $4.68B -$58.6M $46.01 245
2019 Q2 103M $4.12B +$126M $40.03 224
2019 Q1 102M $4.04B +$16.4M $39.64 227
2018 Q4 101M $3.27B -$18.4M $32.27 192
2018 Q3 102M $3.4B +$51.8M $33.30 199
2018 Q2 101M $3.69B +$94.6M $36.70 207
2018 Q1 99.7M $2.98B +$4.3M $29.85 192
2017 Q4 99M $3.27B +$411M $33.10 181
2017 Q3 86.9M $2.45B +$134M $28.25 143
2017 Q2 81.7M $2.24B +$65.3M $27.40 148
2017 Q1 81.5M $1.94B +$89.5M $23.80 135
2016 Q4 79.9M $1.92B -$24.9M $24.00 131
2016 Q3 81.4M $2.02B +$58.3M $24.80 126
2016 Q2 79.9M $2.15B +$15.3M $26.91 117
2016 Q1 79.4M $1.85B +$11M $23.35 72
2015 Q4 78.6M $1.82B +$1.78B $23.14 68